Job description
Role Summary
The Fund Manager will support the Company's treasury, fundraising, investment, and capital market activities.
The role requires a blend of financial analysis, market intelligence, stakeholder management, and execution capabilities to optimize funding, liquidity, and investment strategies.
Key Responsibilities
• Treasury & Liquidity
Monitor liquidity, cash flows, and borrowing costsSupport Asset Liability Management (ALM) and treasury planningIdentify opportunities for cost optimisation and efficient deployment of surplus fundsFund Raising & Capital Markets
Support fundraising through banks, financial institutions, debt markets, securitisation, NCDs, and other funding channelsPrepare funding proposals, lender presentations, and transaction-related documentationManage relationships with lenders, investors, rating agencies, and market intermediariesInvestment Management
Evaluate investment opportunities for surplus fundsTrack fixed-income markets, debt instruments, and investment performanceRecommend investment strategies balancing liquidity, safety, and returnsFinancial Analysis & Strategic Support
Develop financial models, investment analyses, and management dashboardsMonitor market trends, interest rates, and regulatory developmentsSupport strategic financial initiatives and business opportunitiesStakeholder Management
Coordinate with Finance, Business, Risk, Legal, Compliance, and external stakeholdersSupport due diligence, rating reviews, audits, and regulatory interactions
Candidate Profile
MBA (Finance), CA, CFA, FRM, or equivalent qualification10 years of experience in NBFCs, Banks, Financial Institutions, Treasury, Capital Markets, Corporate Finance, Credit Analysis, or Investment ResearchStrong understanding of fundraising, treasury operations, debt markets, and investment management